Voidbreak Buy Sell Pro MT4

Voidbreak Buy Sell Pro is a non-repainting regime indicator for MetaTrader 4 built around a single, disciplined idea: trade only when the market actually leaves its volatility "void". A range filter measures how far price travels relative to its own smoothed average range, creating a stateful band that price must break before the regime changes. When that regime flips from bearish to bullish a BUY prints; when it flips from bullish to bearish a SELL prints. There is only one entry logic and only one trade open at a time, so the chart stays clean and the rules stay simple. Every signal arrives with a complete risk plan — a hybrid stop-loss and three take-profit levels at configurable risk-reward multiples — plus a five-layer confluence star rating that gauges conviction without ever gating the signal. A six-section dashboard reports live state for every component, and an eight-event alert package covers the full signal lifecycle.

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How It Works

Range-Filter Engine

The engine first measures the absolute bar-to-bar change in the chosen source, then smooths it with an EMA over the sampling period, then smooths that result again with a longer EMA and scales it by the range-sensitivity input. The output is a dynamic "smooth range" that expands in volatile conditions and contracts in quiet ones. A stateful clamp — the range filter line — only moves when price travels more than this smooth range away from it; otherwise it holds. That holding zone is the volatility void the product is named for.

Single-Logic Regime Signal

A sticky regime variable is set to +1 when price holds above the range filter line and -1 when it holds below. A signal is generated only on a regime flip: a bear-to-bull flip prints a BUY, a bull-to-bear flip prints a SELL. No oscillator thresholds, no crossover stacks, no separate long and short modules — one logic produces both directions, which keeps behaviour predictable across markets.

One-Trade Control and Exits

Only one position is tracked at a time. An active BUY or SELL is closed when any of three events occurs: TP3 is reached, the stop-loss is reached, or the regime flips against the trade (an opposite-direction signal closes the current trade at market and the new signal becomes the active trade). TP1 and TP2 are informational milestones that the dashboard marks as hit but do not by themselves close the position.

Hybrid Risk and Three Take-Profits

The stop-loss has three selectable modes. Hybrid Swing + ATR (default) takes the tighter of an ATR-distance stop and a recent-swing stop, so volatile conditions widen the stop only as far as structure requires. Pure ATR uses entry plus or minus ATR multiplied by the ATR multiplier. Recent Swing anchors to the most recent swing high or low with a configurable padding. From the resulting risk distance, three take-profit levels are projected at the TP1, TP2, and TP3 risk-reward multiples (default 1.0, 2.0, 3.5). All levels are drawn forward as labeled lines.

Auto-Scale to Timeframe

The swing lookback used by the stop-loss can auto-scale to the active timeframe — roughly 0.4x of the base lookback on M1 rising toward 1.0x on H1 and above — so the same settings behave consistently whether the chart is a one-minute scalp or a daily swing.

Five-Layer Confluence Stars

Five independent context layers — CCI, ADX/DMI, Accumulation/Distribution, Money Flow Index, and Momentum — are evaluated on every signal and summed into a 0-to-5 conviction score rendered as stars on the signal label and the dashboard. This rating is display-only. It never blocks, delays, or filters a signal; it simply tells you how much background context agreed at the moment the regime flipped.

Non-Repainting

All evaluation happens on confirmed, closed bars. A signal printed on a given bar never moves or disappears after the next bar opens, and the historical replay drawn when the indicator loads matches what would have fired in real time.

Six-Section Dashboard

A configurable on-chart dashboard reports Header (brand, symbol, timeframe), Market Context (regime and price relationship), Range Filter Engine (filter line, smooth range, void state), Confluence (the five layers and the star total), Active Trade (direction, entry, SL, TP1/TP2/TP3 with hit markers), and Performance (running signal and outcome tallies). Position, size, and colours are all input-configurable.

Key Features

  • Range-filter regime engine — trades only confirmed breaks out of the volatility void
  • Non-repainting — every signal confirmed on bar close, replay matches live
  • One entry logic for both directions; only one trade open at a time
  • BUY and SELL on regime flip; opposite flip closes the active trade at market
  • Hybrid stop-loss with three modes (Hybrid Swing + ATR, Pure ATR, Recent Swing)
  • Three take-profit levels at fully configurable risk-reward multiples (default 1.0 / 2.0 / 3.5)
  • TP3 hit or SL hit closes the trade; TP1 and TP2 are informational milestones
  • Auto-scaling swing lookback adapts the stop to the active timeframe
  • Five-layer confluence stars (CCI, ADX/DMI, A/D, MFI, Momentum) — display-only conviction gauge
  • EMA trend cloud (fast 21 / slow 50) plus range bands, display-only
  • Six-section dashboard with live state and performance tallies
  • 8 alert events: BUY, SELL, Any, TP1, TP2, TP3, SL, opposite-flip exit
  • Native MetaTrader pop-up, mobile push and email alert channels
  • Master enable, per-channel and per-event toggles for full control over what fires
  • ASCII-only chart labels for full platform and font compatibility

Best Markets and Timeframes

Voidbreak Buy Sell Pro is symbol-agnostic. The range filter scales to each instrument's own volatility, so it works on forex majors and crosses, crypto, metals (gold, silver), oil, indices, and individual stocks, on every timeframe from M1 to MN1. Higher timeframes (H1 and above) produce fewer, cleaner regime flips; lower timeframes produce more frequent signals. The range-sensitivity and sampling-period inputs let you tune how readily the regime flips: raise sensitivity for fewer, stronger breaks; lower it for more responsiveness on quiet pairs.

Complete User Guide & Trading Manual


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PREMIUM SUPPLY AND DEMAND ZONES WITH ALERTS Premium Supply and Demand Zones with Alerts is a professional Smart Money trading indicator that combines institutional-grade Supply & Demand zones with a multi-timeframe trend histogram to deliver high-confidence rejection entries . The indicator automatically identifies premium Supply and Demand zones on the main chart and confirms entries using strong wick rejection logic . Trade signals are generated only in the direction of the dominant trend , w
Introduction This indicator detects volume spread patterns for buy and sell opportunity. The patterns include demand and supply patterns. You might use each pattern for trading. However, these patterns are best used to detect the demand zone (=accumulation area) and supply zone (=distribution area). Demand pattern indicates generally potential buying opportunity. Supply pattern indicates generally potential selling opportunity. These are the underlying patterns rather than direct price action. T
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Alpha Pointer Indicator is a non-repainting adaptive trend indicator for MetaTrader 5. It combines a momentum-driven CCI selector with ATR-displaced bands above and below price to produce a single trend line that ratchets in one direction during bullish regimes and the opposite direction during bearish regimes. The line is mint-green when the latched direction is up and red when it is down, giving an immediate visual read on the dominant regime. Direction changes are anchored with up or down arr
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Smart Liquidity Matrix is a non-repainting ICT Smart Money indicator for MetaTrader 5. It maps the institutional order flow landscape by detecting Order Blocks, Fair Value Gaps, Market Structure shifts (Break of Structure and Change of Character), Equal Highs/Lows, and Liquidity Sweeps — then generates confluence-scored buy and sell signals when multiple Smart Money conditions align on a confirmed bar close. Every signal includes automatically calculated entry, stop-loss, and take-profit levels
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Trend Quorum MT4
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Fellow Traders, If you've ever spent 30+ minutes manually scanning charts for divergence setups — only to miss the entry — this thread is for you. I've just released the Divergence Dashboard, a professional-grade automated scanner that detects Regular and Hidden divergences across all your favourite pairs and timeframes, using your choice of 10 different oscillators — with signals that never repaint. See more MT5 version at:  Divergence Dashboard MT5 See more products at:   All P roducts   For
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Break Tracer MT4
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